
Forventes utgitt
Forventes utgitt: 28.02.2026
Leveringstid: 3-10 dager
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Beskrivelse
Omtale
This text provides a rigorous but accessible introduction to the mathematical theory of risk measures, an indispensable tool to quantitatively assess risks of financial transactions. Requiring only a standard background in probability, it can be used for self-study or form the basis of a graduate-level course.
Detaljer
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ISBN:
9781009710930
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Språk:
, Engelsk
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Forlag:
Cambridge University Press -
Fagtema:
-
Litteraturtype:
-
Sider:
211


